International Finance and Accounting Manager İş İlanı

İşveren Hakkında
 İş İlanları

QUALIFICATIONS AND JOB DESCRIPTION


Metropolitan is an established property development company focused on creating homes packed with functionality, convenience, and comfort for today’s modern lifestyle seeker and savvy investor.

With our experience in global real estate, we offer premium luxury apartments in key areas of Addis Ababa to meet the needs of luxury living in Ethiopia and offer long-term profitable investment opportunities in real estate.

We are looking for a "International Finance and Accounting Manager” to join our internationally growing organization who will be based in Metropolitan Turkey İstanbul Office.

Qualifications:

  • Bachelor’s degree in accounting or finance
  • Advanced level of English
  • Having at least 5 years of experience in a similar position
  • Preferably with experience in the construction industry
  • Advance computer skills, experience with Microsoft Office Suite
  • Ability to multitask, prioritize, and manage time efficiently
  • Satisfactory finance management acumen
  • Possess excellent interpersonal skills to communicate with management, operations, and co-workers in a courteous and professional manner
  • High level of reasoning abilities (i.e., Meeting deadlines, Prioritize Company and customer needs, serving as a leader to both peers and direct reports)
  • High level of ethical behavior


Responsibilities:

  • Managing all accounting activities in different companies in different countries
  • Managing the month-end close and reporting Bank reconciliations
  • Account reconciliations
  • Process inventory transactions
  • Maintaining the SAGE / PEACHTREE accounting software configuration as needed
  • Subcontractor compliance monitoring, i.e., insurance, lien waivers, etc.
  • Processing subcontractor change orders and amendments.
  • Accurately tracking income and expenses, monitoring budgets, reporting on the financial status of both projects and the company, and managing cash flow
  • Reporting any financial risks and budgetary discrepancies to management for review.
  • Keeping accurate tracks of all expenses, liabilities, and projected costs
  • Assisting with corporate month-end close and preparation of various monthly financial reports
  • Daily / Monthly recording of accounts receivable and accounts payable transactions.
  • Managing weekly payments to subcontractors and vendors filing all appropriate backup
  • Keeping a record of all project finances for internal/external auditing and tax purposes.
  • Assisting in general ledger account reconciliations and analysis